The Senior Manager, Compliance Advisory (Corporate Function Compliance) serves as the primary compliance contact and trusted advisor for an assigned portfolio (segment(s), ensuring that they operate within legal, regulatory, and internal Bank requirements.
About us
Maintaining the delivery of exceptional service to our clients requires teamwork. Meet our team of professionals who support delivery across the region. This support requires collaboration, innovation, governance, effective tools, technologies and efficient processes. There are many business segments that comprise our Head Office: Audit, Legal, Finance, Human Resources, Risk Management. Bring your expertise to a team of professionals who bring value to the entire organization.
About the role
CIBC is looking for an experienced Compliance (Non-AML) Risk Professional.
The Senior Manager, Compliance Advisory (Corporate Function Compliance) serves as the primary compliance contact and trusted advisor for an assigned portfolio (segment(s), ensuring that they operate within legal, regulatory, and internal Bank requirements. Provides expert guidance, oversight, and advice on all compliance, conduct, and governance matters, translating complex regulations into practical actions. Identifies, monitors, and mitigates compliance risks in line with the Bank’s risk appetite and strategy. Partnering with the Chief Compliance Officer and senior leaders, the Senior Manager promotes a strong compliance culture, advises on regulatory developments, and supports control framework design and engagement with regulators and key stakeholders.
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About applying
To apply for this and any other position, kindly visit Careers | CIBC Caribbean
Applications with detailed resumes should be submitted no later than May 13th, 2026